DEPOTET ApS — Credit Rating and Financial Key Figures

CVR number: 30563573
Løimarksvej 11, 5610 Assens
info@humle-depotet.dk
tel: 64771702
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit5 399.326 118.647 522.918 958.897 841.80
Employee benefit expenses-4 614.47-5 460.30-6 217.55-7 042.33-7 001.98
Total depreciation- 426.14- 232.63- 588.46- 484.71- 400.74
EBIT358.71425.70716.901 431.85439.07
Other financial income16.8321.1625.4866.1882.07
Other financial expenses- 254.86- 221.53- 167.31- 340.98- 525.84
Pre-tax profit120.68225.33575.071 157.05-4.71
Income taxes-64.81-35.06- 164.48- 300.36-28.01
Net earnings55.87190.26410.59856.69-32.71

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Machinery and equipment616.42557.01443.43745.03512.92
Tangible assets total616.42557.01443.43745.03512.92
Investments total141.75141.75141.75141.75224.75
Long term receivables total
Finished products/goods4 220.184 468.714 635.386 558.086 749.56
Inventories total4 220.184 468.714 635.386 558.086 749.56
Current trade debtors2 385.161 698.212 072.952 042.991 714.20
Current amounts owed by group member comp.871.811 211.341 366.012 086.352 348.63
Prepayments and accrued income48.1318.81167.4280.17
Current other receivables105.0697.3331.9517.05130.12
Current deferred tax assets7.816.8324.6915.6115.61
Short term receivables total3 417.973 032.523 495.604 329.434 288.74
Cash and bank deposits0.3519.921.010.682.91
Cash and cash equivalents0.3519.921.010.682.91
Balance sheet total (assets)8 396.688 219.928 717.1711 774.9711 778.88

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital126.00126.00126.00126.00126.00
Share premium account344.73344.73344.73344.73344.73
Retained earnings185.83241.70434.45845.041 701.73
Profit of the financial year55.87190.26410.59856.69-32.71
Shareholders equity total712.43902.691 315.772 172.462 139.75
Non-current loans from credit institutions514.03242.18
Non-current liabilities total514.03242.18
Current loans from credit institutions2 662.411 055.391 271.161 579.893 703.78
Current trade creditors1 883.982 399.512 777.954 313.063 472.07
Current owed to participating11.5119.3835.5910.3012.11
Current owed to group member445.14443.61398.84383.07773.65
Short-term deferred tax liabilities57.5560.60182.34291.2828.01
Other non-interest bearing current liabilities2 109.623 096.572 735.513 024.921 649.50
Current liabilities total7 170.227 075.057 401.409 602.519 639.13
Balance sheet total (liabilities)8 396.688 219.928 717.1711 774.9711 778.88
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